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Annual · values202520242023202220212020201920182017201620152014
Operating Cash Flow259.00 M USD47.00 M USD461.00 M USD-2.48 B USD-1.94 B USD-853.00 M USD-509.00 M USD462.00 M USD433.00 M USD-141.00 M USD-52.00 M USD577.00 M USD
Depreciation & Amortization
Stock-Based Compensation
Capital Expenditures
Cash Flow from Investing641.00 M USD780.00 M USD286.00 M USD1.74 B USD23.00 M USD788.00 M USD1.17 B USD297.00 M USD345.00 M USD1.08 B USD994.00 M USD-96.00 M USD
Cash Flow from Financing-616.00 M USD-983.00 M USD-670.00 M USD612.00 M USD1.96 B USD183.00 M USD-584.00 M USD-795.00 M USD-766.00 M USD-978.00 M USD-847.00 M USD-585.00 M USD
Dividends Paid68.00 M USD68.00 M USD67.00 M USD64.00 M USD66.00 M USD69.00 M USD74.00 M USD71.00 M USD70.00 M USD69.00 M USD72.00 M USD76.00 M USD
Stock Buybacks500.00 M USD502.00 M USD199.00 M USD500.00 M USD496.00 M USD446.00 M USD500.00 M USD500.00 M USD501.00 M USD306.00 M USD555.00 M USD590.00 M USD
Free Cash Flow

Assured Guaranty Ltd. is a specialty insurance company, primarily engaging in providing financial guaranty insurance. The company is renowned for offering guarantees that enhance the credit quality of public finance, infrastructure, and structured finance obligations. In essence, Assured Guaranty Ltd. underwrites insurance that ensures investors of timely principal and interest payments, thereby catering to sectors such as municipal finance and infrastructure projects. By mitigating credit risk, it plays a crucial role in fostering investor confidence and reducing borrowing costs for issuers. This function is vital in markets where creditworthiness is under scrutiny, as it provides an additional layer of security and stability. As a leading player in the financial guaranty sector, Assured Guaranty Ltd. has significant market significance, particularly in times of economic uncertainty, by helping maintain liquidity and investor assurance across various debt markets due to its strong reinsurance practices and capital strength.